首页 - 基金 - 民生加银积极配置6个月持有混合(FOF)(012936) - 份额变动
民生加银积极配置6个月持有混合(FOF)(012936)份额变动
截止日 期初份额(份) 期末份额(份) 期间申购份额(份) 期间赎回份额(份)
2024-12-30 230,382,756.92 210,503,178.17 57,268.40 19,936,847.15
2024-09-29 248,698,319.91 230,382,756.92 68,305.15 18,383,868.14
2024-06-29 256,963,757.02 248,698,319.91 25,558.12 8,290,995.23
2024-03-30 276,942,560.64 256,963,757.02 96,708.86 20,075,512.48
2023-12-30 299,417,257.82 276,942,560.64 98,301.96 22,572,999.14
2023-09-29 318,350,926.75 299,417,257.82 125,598.56 19,059,267.49
2023-06-29 341,384,161.71 318,350,926.75 263,273.75 23,296,508.71
2023-03-30 349,279,213.11 341,384,161.71 707,146.60 8,602,198.00
2022-12-30 356,645,247.91 349,279,213.11 175,774.94 7,541,809.74
2022-09-29 370,741,378.06 356,645,247.91 1,047,154.58 15,143,284.73
2022-06-29 372,993,088.91 370,741,378.06 377,161.78 2,628,872.63
2022-03-30 371,965,270.45 372,993,088.91 1,027,818.46 -
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